山证裕泰3个月定开
(007212.jj)山西证券股份有限公司持有人户数224.00
成立日期2019-05-30
总资产规模
13.25亿 (2024-09-30)
基金类型债券型当前净值1.0895基金经理蓝烨管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率4.84%
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山证裕泰3个月定开(007212) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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山证裕泰3个月定开历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.08951.2775
2024-12-131.08871.2767
2024-12-061.08531.2733
2024-11-291.08021.2682
2024-11-221.07661.2646
2024-11-151.07511.2631
2024-11-081.07351.2615
2024-11-071.07351.2615
2024-11-061.12831.2613
2024-11-051.12821.2612
2024-11-041.12831.2613
2024-11-011.12761.2606
2024-10-251.12881.2618
2024-10-181.13071.2637
2024-10-111.12441.2574
2024-09-301.12841.2614
2024-09-271.13291.2659
2024-09-201.13561.2686
2024-09-131.13541.2684
2024-09-061.13611.2691
2024-08-301.13581.2688
2024-08-231.13831.2713
2024-08-161.13991.2729
2024-08-091.14021.2732
2024-08-021.14041.2734
2024-08-011.14001.2730
2024-07-311.13961.2726
2024-07-301.13921.2722
2024-07-291.13891.2719
2024-07-261.13851.2715
2024-07-191.13641.2694
2024-07-121.13531.2683
2024-07-051.13461.2676
2024-06-281.13351.2665
2024-06-211.13231.2653
2024-06-141.13131.2643
2024-06-071.13031.2633
2024-05-311.12771.2607
2024-05-241.12581.2588
2024-05-171.12421.2572
2024-05-101.12261.2556
2024-04-301.11951.2525
2024-04-261.12031.2533
2024-04-251.12091.2539
2024-04-241.12131.2543
2024-04-231.12151.2545
2024-04-221.12051.2535
2024-04-191.11931.2523
2024-04-121.11641.2494
2024-04-031.11291.2459